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PROVINCE OF BRITISH COLUMBIA Report of the COMPTROLLER-GENERAL 1947-1948 Pursuant to the provisions of… British Columbia. Legislative Assembly 1948

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Full Text

 PROVINCE OF BRITISH COLUMBIA
Report of the
COMPTROLLER-GENERAL
1947-1948
Pursuant to the  provisions  of the
"Audit Act," Chapter 19, R.S.B.C. 1936
PRINTED BY
AUTHORITY OF THE  LEGISLATIVE  ASSEMBLY.
VICTORIA,  B.C. :
Printed by Don McDiarmid, Printer to the King's Most Excellent Majesty,
1948.  To Colonel the Honourable Charles Arthur Banks, C.M.G.,
Lieutenant-Governor of the Province of British Columbia.
May it please Your Honour:
The undersigned has the honour to present to Your Honour statements of
the Comptroller-General, pursuant to the provisions of the "Audit Act," chapter
19, R.S.B.C. 1936.
Respectfully submitted.
H. ANSCOMB,
Minister of Finance.
Department of Finance,
Victoria, 2nd March, 1948. Victoria, 2nd March, 1948.
The Honourable Herbert Anscomb,
Minister of Finance.
Sir,—I have the honour to submit for the information of the Legislative
Assembly, pursuant to the provisions of the "Audit Act," chapter 19, R.S.B.C.
1936, as follows :—
(A) Statement of Treasury Board Overrulings (section 35).
(B) Statement of Expenditures on Services which have exceeded their
Appropriations (clause (b) of section 36).
(C) Statement of Payments charged against 1947-48 Appropriations
which did not occur within the Period of the Account (clause (e) of section 36).
(D) Statement of Special Warrants issued (subsection (4) of section 24).
(E) Statement showing the Revenue and Expenditures for the First Nine
Months of the Present Fiscal Year, viz., from 1st April to 31st December, 1947
(clause (a) of section 42) :—
(1) Revenue.
(2) Expenditure (charged to Income).
(3a)  Expenditure (charged to Loans).
(3b)   Expenditure (charged to Revenue Surplus).
I have the honour to be,
Sir,
Your obedient servant,
J. A. CRAIG, C.A.,
Comptroller-General. COMPTROLLER-GENERAL'S REPORT.
(A)
TREASURY BOARD OVERRULINGS.
Nil. CC 6
COMPTROLLER-GENERAL'S REPORT, 1947-48.
(B)
UNPROVIDED ITEMS IN EXPENDITURE FOR FISCAL YEAR ENDED
31ST MARCH, 1947.
STATEMENT of Expenditures on Services which have exceeded their Appropriations frcm
1st April, 1946, to 31st March, 1947, and for which Overexpenditure the Sanction of
Parliament is required.
Vote
No.
Service.
Total
Appropriation.
Total
Expenditure.
Over-
expended.
5
11
12
15
28
32
34
35
36
38
39
40
41
42
43
44
47
48
49
60
64
70
73
79
81
82
84
85
86
87
Legislation.
Expenses _
Premier's Office.
Salaries and Expenses..
Department of Agriculture.
General Office  	
Farmers' Institutes	
Women's Institutes    	
Agricultural Development and Farmers' Land-
clearing Assistance   	
Department of the Attorney-General.
Companies Branch..
Sheriffs' Offices	
Official Guardian  	
Land Registry Offices	
Supreme and County Courts  	
Provincial Police   	
County Gaols	
Game Branch  	
Administration of Justice  ___
Crown Prosecutor, Vancouver	
Coroners' Inquests and Inquiries   	
Constitutional   Litigation   and   General   Law
Costs  	
After-care of Youthful Offenders..
Incidentals and Contingencies	
Department of Education.
Minister's Office   	
Grants re " Special Assistance in the Cost of
Education Act " 	
Special Services
Educational Direction and Supervision..
Provincial Archives  	
Department of Finance.
General Office _ 	
Controlling and Audit Branch-
Purchasing Commission..
Agent-General's Office and B.C. House, London, England	
Government Agents and Assessors, etc 	
Postal Branch  	
Printing Public Accounts,  Revenue  Receipts,
Bonds, Cheques, Estimates, etc  	
Carried forward _   	
$181,610.00
23,750.00
37,045.00
10,660.00
8,180.00
47,600.00
29,985.00
27,016.00
3,620.00
253,035.00
99,085.00
976,670.00
254,490.00
281,155.00
125,250.00
6,500.00
20,000.00
10,000.00
7,350.00
6,000.00
14,270.00
640,000.00
245,000.00
29,460.00
14,350.00
48,500.00
86,100.00
156,500.00
100.00
649,000.00
77,300.00
7,500.00
$183,676.67
25,665.16
37,247.81
10,726.80
8,195.00
47,632.79
32
27
3
255
103
1,006
278
301
135
6
20
352.55
.749.71
,628.10
,406.95
937.93
484.20
659.42
415.72
784.25
753.45
573.97
15,419.64
7,669.93
12,328.04
14,341.85
648,720.66
342,453.61
30,184.48
14,546.92
49,240.09
87,319.34
162,912.95
2,208.19
671,662.22
78,322.34
12,127.02
:,377,081.00     |  $4,635,347.76
$2,066.67
1,915.16
202.81
66.80
15.00
32.79
2,367.55
733.71
8.10
2,371.95
4,852.93
29,814.20
24,169.42
20,260.72
10,534.25
253.45
573.97
5,419.64
319.93
6,328.04
71.85
8,720.66
97,453.61
724.48
196.92
740.09
1,219.34
6,412.95
2,108.19
22,662.22
1,022.34
4,627.02
$258,266.76 COMPTROLLER-GENERAL'S REPORT, 1947-48.
CC 7
Unprovided Items in Expenditure for Fiscal Year ended 31st March, 1947—Continued.
Vote
No.
Service.
Total
Appropriation.
Total
Expenditure.
Over-
expended.
$4,377,081.00
$4,635,347.76
$258,266.76
Department of Labour.
93
General Office   	
Department of Mines.
80,980.00
81,636.35
656.35
127
34,920.00
65,370.00
36,601.33
73,882.26
1,681.33
130
Inspection Branch  	
8,512.26
Department of the Provincial Secretary.
137
138
140
146
156
157
Minister's Office  	
General Office    	
Administration of " Superannuation Act" and
" Teachers' Pensions Act "	
Contingencies, Entertainment, Grants, etc. .___
Social Allowances, Medical Services, etc.	
5,820.00
59,800.00
106,530.00
22,500.00
1,950,000.00
393,780.00
93,530.00
'  90,190.00
1,280,150.00
935,000.00
5,827.86
61,191.06
136,516.22
27,392.87
2,079,086.70
415,926.20
97,662.79
92,079.76
1,280,666 21
947,174.49
7.86
1,391.06
29,986.22
4,892.87
129,086.70
22,146.20
158
159
162
169
Division of Laboratories    	
Division of Vital Statistics    	
Hospitals—Administration and Grants	
Old - age   Pensioners'   War   Cost - of - living
4,132.79
1,889.76
516.21
12,174.49
Department of Public Works.
170
174
Minister's Office     _    .
Roads, Bridges, Ferries, Wharves, etc  	
Railway Department.
12,840.00
2,772,570.00
13,688.25
2,810,287 97
848.25
37,717.97
181
Salaries and Expenses  ._;	
26,600.00
26,653.10
53.10
$12,307,661.00
$12,821,621.18
$513,960.18 CC 8
COMPTROLLER-GENERAL'S REPORT, 1947-48.
(C)
STATEMENT OP PAYMENTS CHARGED AGAINST 1947-48 APPROPRIATIONS
WHICH DID NOT OCCUR WITHIN THE PERIOD OP THE ACCOUNT.
Vote
No.
Date of Service.
Particulars.
38
40
41
41
41
43
43
86b
86b
86b
88
89
90
95
98
(a)
98
(c)
101
(a)
101
(d)
101
(d)
101
(d)
101
(d)
101
(d)
101
(d)
101
(d)
101
(d)
101
(d)
101
(d)
101
(d)
101
(d)
103
(h)
106
(b)
106
(b)
106
(b)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
'a)
108
a)
108
(a)
108
[a)
Mar., 1947	
Mar., 1947	
Mar., 1947 - __
July, 1946-Dec, 1947..
Jan., 1947 	
June-Dec, 1947	
Feb., 1947 	
Nov., 1946-Feb., 1947..
Oct., 1946, and Mar.,
1947
June, 1946 	
Mar., 1947 __ 	
Mar., 1947 _ 	
Feb. and Mar., 1947 _...
Jan., 1947 	
Sept., 1946	
Nov., 1946	
Mar., 1947	
Mar., 1947 	
June, 1946-Mar., 1947
July, 1946-Jan., 1947..
Jan.-July, 1946	
Feb., 1947  	
June, 1946-Mar., 1947
Dec, 1946, and Jan.,
1947
Aug. and Oct., 1946 ____
Jan.-Feb., 1947	
July, 1946  .  	
Mar., 1947	
Mar., 1947   	
Feb. and Mar., 1947 ___
Dec,1946 	
Jan.-Mar., 1947	
Nov., 1946   .
Jan. and Mar., 1947 ...
Nov., 1946-Mar., 1947
Sept., 1946   	
Sept., 1946
June, 1946-Mar., 1947
Nov., 1946-Mar., 1947
May, 1946-Mar., 1947
Feb. and Mar., 1947 ....
Jan. and Mar., 1947 __
July, 1946     	
Nov., 1945-Mar., 1947
Dec, 1946, and Jan.,
1947
J-An.-Mar., 1947   .     _
Nov., 1946-Mar., 1947
Mar., 1947   	
Mar., 1947  	
Mar., 1947       	
Mar., 1947     __
Jan. and Mar., 1947 _
Dec, 1946, and Jan.,
1947
Aug., 1946, and Mar.,
1947
Feb. and Mar., 1947 ...
Jan. and Mar., 1947
Dec, 1946-Mar., 1947
V. E. Thorgeirson	
Imperial Oil, Ltd	
Orchard City Motors..
H. Castillau, K.C	
H. J. McGivern   	
A. H. J. Swencisky	
Dr. V. J. Guttormsson..
City of Vancouver   	
Remington-Rand, Ltd..
Standard Furniture __
Woodward Stores, Ltd....
Remington-Rand, Ltd	
Sim's Service Garage
Pitney-Bowes of Canada, Ltd.	
Dominion Dept. of Fisheries	
Canadian General Electric Co., Ltd...
Thompson Motors       	
Central Scientific Co. of Canada..	
Drs. Baker & Avery   	
Drs. Beauchamp & Gibbons	
Drs. Blades & Hogg  	
Dr. W. E. French   	
Dr. C. H. Hankinson	
Dr. A. M. Inglis	
Drs.   Leroux,    McRitchie,    East   &
Leroux     	
Drs. McHaffie & Beevor-Potts	
Dr. George More   .       	
Powell River River Clinic 	
Dr. R. E. Tomashersky  	
C. S. Williams Clinic  	
Gault Bros., Ltd.      	
Township of Esquimalt  	
Ross Motors, Ltd. 	
City of Vernon   	
Dr. L. Bapty   	
F. G. Bews 	
Dr. G. H. Burgess ____ 	
Burris Clinic         	
Canadian National Inst, for Blind .
Dr. J. U. Coleman       	
Dr. W. A. Drummmond  	
Township of Esquimalt	
Fernie Pharmacy     	
Dr. W. F. Fraser   	
Green's Drug Store _  '.	
Dr. V. J. Guttormsson
Dr. R. R. Harper  	
Dr. R. A. Hughes   	
City of Kamloops 	
Dr. L. W. King	
Dr. R. G. Large
Dr. J. G. McMurchy ....
Dr. H. L. McNiven   ....
Dr. A. G. Macdonald
Dr. F. B. Maxfield    ...
Dr. L. T. Maxwell   .
City of Merritt
Pay-list	
Supplies	
Storage  	
Professional services
Professional services
Professional services
Professional services
Coroners' fees	
Typewriter	
Carpet	
Supplies	
Typewriters	
Gasoline and oil	
Ink rollers	
Salmon investigation
Fixtures 	
Repairs	
Supplies  	
Professional services
Professional services
Professional services
Professional services
Professional services
Professional services
Professional services
Professional services
Professional services
Professional services
Professional services
Professional services
Supplies	
Pay-list	
Repairs 	
Pay-list 	
Professional services
Supplies . . _.__ _.
Professional services
Professional services
Sundry expenses _._.
Professional services
Professional services
Services   ..
Supplies    ____ 	
Professional services
Supplies
Professional services
Professional services
Professional services
Services
Professional services
Professional services
Professional services
Professional services
Professional services
Professional services
Professional services
Social assistance	
$25.44
26.97
20.00
2,566.95
255.00
1,156.72
20.00
234.00
159.82
33.85
11.14
569.24
14.63
13.50
82.73
46.46
29.00
10.13
69.00
20.00
52.00
16.00
53.00
13.00
36.00
27.00
36.00
28.00
130.00
60.00
17.65
11.25
25.83
217.50
38.50
16.00
42.00
321.00
56.00
108.00
66.00
164.36
64.08
51.00
16.00
72.00
27.00
90.00
120.58
60.00
90.00
16.50
35.00
10 50
127.75
117.50
32.64 COMPTROLLER-GENERAL'S REPORT, 1947-48.
CC 9
Statement op Payments charged against 1947-48 Appropriations—Continued.
Vote
No.
Date of Service.
Name.
Particulars.
Amount.
108
,a)
108
(a)
108
(a)
108
,a)
108
(a)
108
(a)
108
(a)
108
(a)
108
'a)
108
(a)
108
(a)
108
[a)
108
[a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
(a)
108
'a)
108
(a)
108
(a)
108
[a)
108
(a)
108
(a)
108
(a)
108
[a)
111
.a)
111
(b)
111
(b)
111
(b)
111
(b)
111
(b)
111
(b)
111
(6)
134
140
180 (a)
184
185
185
185
185
186
187 (a
187 (a
187 (a
187 (a.
187 (a
187 (a
187 (a
187 (a
187 (a.
187 (a
187 (a
187 (a
187 (a
187 (a
187 (a
187 (a
187 (a
187 (a
Mar., 1947 __ ___.
Mar., 1947	
Nov. and Dec, 1946 ....
Feb. and Mar., 1947 ...
Mar., 1947 	
Mar., 1947  	
Mar., 1947	
Dec, 1946, and Mar.,
1947
June and Nov., 1946 ...
Mar., 1947  	
Sept. and Dec, 1946 _
Mar., 1947 	
Mar., 1947 _	
Jan. and Mar., 1947 ___.
Mar., 1947 	
Jan. and Feb., 1947.....
Jan. and Feb., 1947 ....
Aug., 1946 	
Sent., 1946, and Mar.,
1947
Mar., 1947 ..___ 	
July, 1946-Mar., 1947
Mar., 1947  	
Mar., 1947 .___. 	
Mar., 1947	
Nov. and Dec, 1946 ._-
Jan., 1946 ....  	
Feb., 1940, and Mar.,
1947
Oct., 1945-Mar., 1947
Nov., 1946-Mar., 1947
Mar., 1947  _...
Dec, 1946-Mar., 1947
Mar., 1947	
Nov., 1946-Feb., 1947
Mar., 1947  	
Aug.-Oct., 1946	
Mar., 1947 	
Dec, 1946-Mar., 1947
Mar., 1947 .___  	
Jan. and Mar., 1947 —
Feb., 1947 	
Jan., 1946-Mar., 1947
Mar., 1947 .... 	
Aug.-Dec, 1946 	
Mar., 1947	
Feb., 1947  _
Mar., 1947	
Mar., 1947 	
Feb. and Mar., 1947 ...
Mar., 1947	
Sept. and Oct., 1946 .__
Mar., 1947  ___...
Mar., 1947 _	
Mar., 1947	
Jan., 1947 	
Feb., 1947 	
Feb. and Mar., 1947 ...
Mar., 1947 	
Mar., 1947  ._
Nov., 1946  	
Mar., 1947	
Mar., 1947	
June, 1945, and June,
1946
Dr. Mooney & Associates  	
Drs. Morrison & Barrett 	
Drs. R. W. & C. C. Patton 	
Drs. Pettman, Alexander & Brown .
Dr. Pitts   __
Powell River Clinic _ 	
Powell River Pharmacy	
Receiver-General of Canada	
Dr. A. N. Reid	
Township of Richmond .
Dr. G. A. Roberts	
Saskatchewan 	
Somass Drug Store	
Dr. G. L. Stoker 	
District of Surrey	
Dr. T. W. Sutherland	
Mrs. S. Thomson 	
Drs. Underhill, Anderson & Rankine
University of B.C 	
Drs. Urquhart & Wilson  	
City of Vancouver	
Vancouver General Hospital —
City of Victoria	
Drs. White, Parmley, Barr & Gibson
C. S. Williams Clinic  	
Dr. A. R. Wilson ._ _.  	
Woodland & Co  _-_
Crone Storage Co., Ltd	
Fernie Pharmacy	
Mrs. Wm. Gibson	
Greenwood Mercantile	
Dr. Mooney & Associates	
Dr. L. G. Panton 	
Babel Bros.     ;.
Dr. B. W. Tanton	
A. P. Slade, Ltd.   .        	
Northern Electric Co.   .._	
Buckerfields, Ltd.  	
H. L. Hayne      . .    _
Electrolux (Canada), Ltd. ...
A. Mitchell   .....     -.„.
Victoria Daily Times  	
D. R. Banfield   .....  	
Brown's Victoria Nurseries .
Barvic Engineering Co 	
Black Bros.  	
B.A. Paint Co., Ltd......
C.P. Bussinger
Domestic   Oil   Burner  Distributors,
Ltd.    .    	
Fogg Motors, Ltd..—   	
Forrest & Pollard  	
General Construction Co., Ltd 	
General Paint Corp. of Canada, Ltd.
Glacier Lumber Co  	
Gordon & Belyea, Ltd.	
Harrison Lake Garage	
Joseph Heaney, Ltd     _
Home Oil Distributors  	
Imperial Oil, Ltd.
Professional services
Professional services
Professional services
Professional services
Professional services
Professional services
Supplies    —
Services    _. _
Professional services
Social assistance _____
Professional services
Relief     	
Supplies 	
Johnstone & Michiel, Ltd...
McColl-Frontenac Oil Co.
B. H. McNeil & Son	
Professional services
Social assistance 	
Professional services
Social assistance   .
Professional services
Grant, social work ...
Professional services
Social assistance ___.
Medical services	
Social assistance   ...
Professional services
Professional services
Professional services
Supplies  	
Storage _ 	
Supplies 	
Foster-home care	
Supplies  	
Professional services
Professional services
Clothing  	
Professional services
Supplies  	
Light fixtures __ ____
Feed for stock	
Garage rental	
Machine	
Transportation,_	
Services 	
Pay-list 	
Supplies   	
Supplies	
Repairs ______
Supplies 	
Material for repairs
Repairs  	
Repairs  	
Survey _ 	
Rental of Machines ..
Supplies ._ 	
Piling     	
Material _ 	
Repairs   ___.
Cartage	
Gasoline	
Gasoline   	
Materials  	
Supplies	
Rental of Machine ...
$64.25
29.00
29.25
101.00
27.00
401.25
69.89
250.00
75.00
16.50
39.00
164.65
14.72
271.50
264.41
21.50
50.00
135.00
2,114.40
32.50
1,170.86
100.00
158.75
32.00
131.00
44.50
206.69
45.20
10.70
14.13
40.30
42.50
72 00
19.05
150.00
42.68
84.20
4,495.60
15.00
86.54
12.72
12.60
20.93
30.20
271.60
11.05
722.70
76.09
49.80
10.25
934.03
1,010.00
177.20
1,791.00
137.40
10.61
53.00
19.89
146.37
126.98
44.20
162.92 CC 10
COMPTROLLER-GENERAL'S REPORT, 1947-48.
Statement of Payments charged against 1947-48 Appropriations—Continued.
Vote
No.
Date of Service.
Name.
Particulars.
Amount.
187 (a
187 (a
187 (a
187 (a
187 (a
187 (a
187 (a
187 (o
187 (a
187 (a
187 (a
187 (a
187 (a
187 (a
187 (a
187 (a
189
189
189
189
189
189
189
189
189
189
189
189
189
193
193
193
201
201
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Sept., 1946	
Jan., 1947	
Feb., 1946 	
Dec, 1946  	
Feb., 1947..... 	
Dec, 1946 -
Mar., 1947	
Mar., 1947  ..._.
June, 1946-Mar., 1947
Jan. and Feb., 1947 __
Jan., 1947	
Mar., 1947	
Dec, 1945	
Nov., 1946  __._.
Mar., 1947 	
Feb., 1947	
Mar., 1947 ...___	
June, 1946 	
Mar., 1947	
Nov. and Dec, 1945 ....
Nov., 1945 	
July, 1946-Mar., 1947
Mar., 1947 	
July, 1946-Mar., 1947.
Mar., 1947 	
Oct., 1946 ___. _._._	
Mar., 1947 	
Mar., 1947 	
Jan. and Mar., 1947 ....
Jan., 1947	
Mar., 1947 .___.___ _	
Mar., 1947	
Oct., 1946 	
Dec, 1946, and Mar.,
1947
Jan-Mar., 1947...._	
Mar., 1947	
Mar., 1947 .  	
Jan., 1947  	
Jan., 1947   __
Mar., 1947 __ 	
Mar., 1947	
Mar., 1947	
Aug., 1946	
Nov. and Dec, 1946 ....
Sept., 1946, and Mar.,
1947
Nov., 1946 	
Feb., 1947	
Mackenzie, White & Dunsmuir, Ltd.
Martin & Richards, Ltd	
Martin & Richards, Ltd  	
Martin & Richards, Ltd  	
Martin & Richards, Ltd.  	
Nat Meltzer     	
District of Penticton  	
Rupert Motors, Ltd.   	
W. H. Saunders  	
Shell Oil Co.       _ 	
Standard Oil Co., Ltd   	
Department of Transport	
R. Walker & Sons  	
Whitaker & Revercomb  ___..
A. MacKinnon _ 	
E. Babuin   	
Amberine Products, Ltd..
Estate of D. Burns 	
Canada Roof Products	
Fleck Bros., Ltd. _
Fogg Motors, Ltd. 	
Harper's Department Store..
Mrs. T. C. Lee 	
McLennan, McFeely & Prior, Ltd..
Marshall-Wells B.C., Ltd. 	
Northern Electric Co	
Pyrene Mfg. Co. of Canada.-— 	
Vancouver Motors, Ltd ____ 	
A. W. Yule .._._.   	
McLennan, McFeely & Prior, Ltd...
Pacific Coast Fire Equipment Co...
Pyrene Mfg. Co. of Canada.. 	
Spitzer & Mills	
Victoria Photo Supply  	
Commissioner, Teachers' Pensions-
Crawford Bay and District Co-operative Assn.  	
Harvey Davis
Finning Tractor & Equipment Co.
Ltd. _.._.  	
Fleck Bros., Ltd	
J. S. Galbraith & Sons	
Stephen Holmes	
W. Irvine   	
Campbell-Mannix Co.  	
Village of Parksville      __
Shell Oil Co  	
Vancouver Sun 	
Whitaker & Revercomb	
Sundry accounts of $10 and under..
Supplies .
Parts	
Supplies	
Supplies	
Supplies   	
Opening up road	
Surfacing	
Repairs .__	
Rental of camp-site .
Supplies	
Gasoline	
Services 	
Repairs	
Supplies   	
Pay-list  	
Pay-list 	
Supplies   —
Repairs 	
Roofing 	
Supplies  	
Auto parts	
Rent   	
Rent   	
Supplies   	
Supplies 	
Supplies 	
Supplies	
Services _ 	
Fire-alarm
tion	
Supplies
mspee-
Extinguisher refills
Refills 	
Advertising	
Supplies 	
Pensions payments .
Rent of building....
Magistrates' fees .
Equipment	
Supplies  —
Equipment	
Magistrates' fees _
Magistrates' fees _
Road construction .
Road material...	
Gasoline	
Advertising .
Supplies 	
$92.13
22.71
.81
4.08
15.86
368.57
313.20
46.74
100.00
111.85
17.64
11.95
18.46
136.02
186.11
82.64
27.50
220.00
31.68
29.02
19.22
810.00
40.00
720.00
28 85
36.93
58.80
19.28
15.00
79.36
31.82
71.16
289.08
36.36
1,918.73
5.00
17.50
1,955.39
38.41
56.23
12.50
45.00
2,186.18
387.11
46.48
27.20
10.32
432.49
$36,025.35 COMPTROLLER-GENERAL'S REPORT, 1947-48.
CC 11
(D)
STATEMENT OP SPECIAL WARRANTS ISSUED BETWEEN THE SESSIONS
OF 1947 AND 1948.
Date of
Approval.
No. of
Warrant.
Service.
Amount of
Warrant.
Expenditure.
TO MEET EXPENDITURE FOR THE FISCAL
YEAR ENDING 31st MARCH, 1948.
Department of Education.
Jan. 6, 1948.
6
To provide funds  for the  purpose of bringing the
cost-of-living   bonus   of   the   employed   staff   of
the   University   of   British   Columbia   into   line
with that of Provincial Government employees
Department of Finance.
$114,000.00
$114,000.00
Apr. 19, 1947
June 11,1947
1
3
To reimburse the  Purchasing  Commission for purchase of air-raid precaution equipment, consisting   of   twenty-five   trailer  pumpers   and   fifty
thousand feet of rubber hose  	
Special grant-in-aid re " Public Schools Act " 	
Department of Health and Welfare.
3,698.00
300,000.00
3,698.00
3,708.80
May 12, 1947
2
To procure streptomycin for the treatment of tuberculosis    .__.       	
35,000.00
20,813.47
Department of Lands and Forests.
Aug. 20,1947
5
To provide for refund of stumpage and royalty on
sawlogs manufactured into lumber and used for
defence   projects   in   British   Columbia   by   the
Government of the United States .— 	
Department of Mines.
18,032.66
18,001.68
July 9, 1947.
4
To provide  a further sum for the purpose of furnishing  additional grants  to  aid the  construction and upkeep of mining roads and trails in
200,000.00
Department of the Provincial Secretary.
Jan. 27, 1948
8
Grants to public hospitals of British Columbia	
Department of Public Works.
550,000.00
236,885.10
Jan.   17,1948
Feb. 17, 1948
Feb. 18, 1948
7
9
10
To reimburse Northern Construction Co. and J. W.
Stewart, Ltd., for expenses incurred by reason
of inability of the Department of Public Works
to   secure   adequate   and   sufficient   supplies   of
cement as and when required by the contractor
Grant  to   British   Columbia' Power  Commission   re
improvements  to  Falls  Road  No.  224   (Ladore
Falls Road), Comox Electoral District — ...   	
Compensation  to  William  Golko,  Lumby,  B.C.,  for
financial  loss  caused  by  his  truck  and  trailer
being damaged by breaking through decking of
36,225.03
2,000.00
147.80
36,225.03
2,000.00
$1,259,103.49
$435,332.08 CC 12
COMPTROLLER-GENERAL'S REPORT, 1947-48.
(E)
(1)
STATEMENT SHOWING THE REVENUE FOR THE FIRST NINE MONTHS OF
THE PRESENT FISCAL YEAR, VIZ., 1st APRIL TO 31st DECEMBER, 1947.
Estimated for
12 Months
ending 31st
March, 1948.
Service.
Revenue for 9 Months ended
31st December, 1947.
$25,000.00
$25,000.00
125,000.00
100,000.00
5,000.00
575,000.00
11,600,000.00
75,000.00
800,000 00
120,000.00
440,000.00
3,575,000.00
85,000.00
27,000.00
10,000.00
6,000.00
6,000.00
45,000.00
39,000.00
10,000.00
$17,668,000.00
$2,400.00
6,000.00
100.00
$8,500.00
$21,357,680.00
500,000.00
$21,857,680.00
425,000.00
120,000.00
700,000.00
7,825,000.00
900,000.00
120,000.00
1,000,000.00
420,000.00
750,000.00
$34,117,680.00
Current Account.
Department of Agriculture:
Miscellaneous Receipts..
Department of Attorney-General:
" Administration Act "—Fees, etc.
Companies Branch	
Court Fees and Fines	
Dog Licences   	
" Game Act "—Fees and Licences ..
" Government Liquor Act "..
" Insurance Act " 	
Land Registry Fees	
Law Stamps
Motor-vehicle Act ":
Registration Fees, etc	
Annual Licences, Motor-vehicles   (except Motorcycles) 	
Annual Licences, Chauffeurs	
Motion Pictures Act "	
" Real-estate Agents' Licensing Act'
" Securities Act "	
Sheriffs' Fees 	
Trade Licences	
" Fire Marshal Act "—Fees, etc.   ._—
Miscellaneous Receipts	
$18,351.28
99,835.76
119,419.98
4,806.60
645,021.54
7,536,456 55
45,354.53
747,282.15
118,260.90
446,459.82
657,368.18
36,383.25
22,403.00
11,011.25
5,448.95
8,274.80
26,970.00
14,278 17
3,293.76
Department of Education:
Teachers' Examinations and Certificates .
Text-book Branch (net profits)  	
Miscellaneous Receipts  	
$3,820.00
Department of Finance:
Dominion of Canada:
Rental Fee for Leased Tax Fields and Payments
under Terms of Union  	
Percentage of Power Corporation Tax	
Amusement-tickets Tax
Coal and Coke Tax	
Fuel-oil Tax	
Gasoline Tax 	
Interest:
Miscellaneous 	
$15,718,680.74*
Fraser River Bridge—on account.
Land Taxes:
Real Property..
$15,718,680.74
355,731.37
94,853.18
665,196.12
7,180,601.31
588,331.22
Wild Land, Coal and Timber Lands .
Mineral Tax    	
1.029,709.61
393,240.62
878,768.56
$17,575.57
10,566,680.47
3,820.00
Carried forward .
$26,905,112.73   $10,588,076.04
* Includes third quarterly instalment for the fiscal year, although not actually received. COMPTROLLER-GENERAL'S REPORT, 1947-48.
CC 13
STATEMENT OF REVENUE FOR THE FlRST NlNE MONTHS OF PRESENT FISCAL YEAR—Continued.
Estimated for
12 Months
ending 31st
March, 1948.
Service.
Revenue for 9 Months ended
31st December, 1947.
$34,117,680.00
50,000.00
475,000.00
25,000.00
60,000.00
35,000.00
$34,762,680.00
$10,000.00
$45,000.00
40,000.00
1,000.00
$86,000.00
$950.00
550.00
,500.00
$30,000.
160,000.
300,000
46,000
15,000
45,000
430,000
2,100,000
1,950,000
390,000
12,000
$5,478,000.00
$100.00
$150.00
45,000.00
250.00
100,000.00
$145,400.00
$750.00
Current Account—Continued.
Brought forward .
Department of Finance—Continued.
Poll Tax      	
Probate Fees   	
Races Tax     	
Succession Duties  	
Trust Deposits reverted to the Crown 	
Unworked Crown-granted Mineral Claims
Miscellaneous Receipts  	
Department of Fisheries:
Fish-buyers' and Miscellaneous Licences
Department of Health and Welfare:
Marriage Licences     	
Vital Statistics   ._ 	
Miscellaneous Receipts   *	
Department of Labour:
Elevator Inspection and Examination Fees
Trade-schools Regulation Fees   _
Department of Lands and Forests:
Grazing Permits and Fees _ _
Land Revenue, Sundry ._.__ 	
Land Sales   —	
South Okanagan Lands Project
Survey Fees and Sale of Maps __
Timber Leases   _   	
Timber Licences    	
Timber Royalties  — 	
Timber Sales	
Water Rentals and Recording Fees
Miscellaneous Receipts	
Legislation:
Private Bills Fees
Department of Mines:
Bureau of Mines 	
Free Miners' Certificates
Miners' Examinations and Certificates
Mining Receipts, General   ;	
Department of Municipal Affairs:
Miscellaneous Receipts	
Carried forwards
8,905,112.73    $10,588,076.04
71,429.34
165,048.50
607,147.16
1,014,055.29
71,029.43
61,142 99
$39,850.50
35,034.68
806.61
1,071.00
44.00
$26
203
374
42
19
39
326
2,389
2,708
328
16
061.01
.958.50
,141.75
,499.53
783 72
,277.93
,074.42
,399.99
,217.75
,247.82
170.97
$61.50
44,014.75
154.00
133,097.47
28,894,965.44
26,271.60
75,691.79
1,115.00
6,473,833.39
177,327.72
37.50
$46,237,318.48 CC 14
COMPTROLLER-GENERAL'S REPORT, 1947-48.
Statement of Revenue for the First Nine Months of Present Fiscal Year—Continued.
Estimated for
12 Months
ending 31st
March, 1948.
Service.
Revenue for 9 Months ended
31st December, 1947.
$25,000.00
1,000.00
$26,000.00
$270,000.00
3,000.00
$2,000.00
$1,500.00
$500.00
400,000.00
$400,500.00
$58,888,930.00
Current Account—Continued.
Brought forward- —	
Department of the Provincial Secretary:
King's Printer (net profits)  _
Miscellaneous Receipts  	
! Public Utilities Act " and " Motor Carrier Act'
Miscellaneous Receipts J    	
Department of Public Works:
Miscellaneous Receipts	
Railway Department:
Inspection Fees   .
Department of Trade and Industry:
Miscellaneous Receipts 	
Refunds of Expenditure:
Charged to Income .	
Charged to Loans	
$1,084.42
$82,443.88
353,081.50
Total Revenue _
$46,237,318.48
1,084.42
99,463.31
6,480.63
2,923.33
3,146.39
435,525.38
$46,785,941.94 COMPTROLLER-GENERAL'S REPORT, 1947-48.
CC 15
(E)
(2)
"STATEMENT  SHOWING THE  EXPENDITURE  FOR  THE  FIRST  NINE  MONTHS
OF THE PRESENT FISCAL YEAR, VIZ., FROM 1st APRIL
TO 31st DECEMBER, 1947.
Estimated for
12 Months
ending 31st
March, 1948.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1947.
$5,117,384.21
2,408,330.05
2,759,193.76
$10,284,908.02
$183,110.00
2
3
$26,600.00
750.00
$27,350.00
$12,700.00
4
47,580.00
5
5,890.00
6
85,150.00
7
24,340.00
8
142,770.00
9
17,700.00
10
10,760.00
11
10,000.00
12
' 14,620.00
13
137,980.00
14
10.00
15
30,000.00
16
10,000.00
17
2,000.00
18
2,000.00
19
1,00000
20
40,000.00
21
8,000.00
22
300.00
23
5,000.00
24
30,000.00
25
500.00
Stat
21,150.00
Stat
2,500.00
Stat
Stat
20,900.00
Stat
$682,850.00
Current Account.
Public Debt:
Interest, Premium, and Exchange
Sinking Funds     	
Redemption of Debt  	
Legislation
Premier's Office:
Salaries arid Expenses 	
" Civil  Service Act,  1945 '
of-living Bonus	
Sec. 78—Cost-
Department of Agriculture:
Minister's Office    	
General Office       	
Markets Branch    	
Horticultural Branch ._     _
Plant Pathology, Entomology, and Apiary
Inspection  ____   	
Live Stock Branch     	
Field Crops and Seed Improvement Branch
Farmers' Institutes     	
Women's Institutes       _ 	
Soil Survey Branch     	
Agricultural Development and Extension ...
Milk Board   _ 	
Automobiles and Accessories  .  .  	
Agricultural    Associations    and    Fairs—
Buildings, Grants, etc.   ._   	
Interior Provincial Exhibition Association
—Grant __   _ _  	
Chilliwack Agricultural Association—Grant
In Aid of Kamloops Bull Sale—Grant	
Rebates on Stumping-powder __. 	
Subsidies on Agricultural Lime 	
Rodent and Pest Extermination   	
Incidentals and Contingencies    	
Dominion-Provincial     Emergency     Farm
Labour Service   .     _.
" Pound District Act "  _.. 	
" Grasshopper-control Act " —	
" Natural Products Marketing (B.C.) Act "
" Horned Cattle Purchases Act ".  	
" Civil  Service Act,  1945,"  Sec.  78—Cost-
of-living Bonus     	
Carried forward .
$4,446,958.29
2,408,330.05
1,880,318.14
8,423.25
653.10
$9,053 75
30,248.34
3,880.36
60,713.21
14,396.30
100,693.14
8,866.21
6.160 68
6,312.16
11,939.97
72,975.64
10.00
28,546.31
7,915.00
2 000.00
2,000.00
17,354.00
8,62388
167.86
2,222.84
16,085.51
388.50
6,458.84
2,260.00
18,565.22
1,735,606.48
1,160.05
19,076.35
437,837.72
$9,193,680.60
* This statement covers only such vouchers as have been received and entered in the books of the Controlling
and Audit Branch at 31st December, 1947. CC 16
COMPTROLLER-GENERAL'S REPORT, 1947-48.
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1948.
No. of
Vote.
Expenditure for 9 Months
ended 31st December, 1947.
$15500.00
26
38,040 00
27
32.235.00
28
29,670.00
29
53.890.00
30
13,645.00
31
27,496.00
32
25,430.00
33
3,670.00
34
276,600 00
35
104,935.00
36
204,650.00
37
978,370.00
38
289,480.00
39
417,000.00
40
130,500 00
41
6.860.00
42
20,000.00
43
10,000.00
44
75,000.00
45
1,500 00
46
12,700.00
47
55,000.00
48
6,000.00
49
6,000.00
50
20,000 00
51
3,500.00
Stat
Stat
251,700.00
Stat
$3,109,371.00
$14,540.00
52
52,135.00
53
10.00
54
122,800.00
55
127,088.00
56
44,930.00
57
27,720.00
58
171,280 00
59
78,942.00
60
81,985.00
61
6,510,000.00
62
335,000.00
63
85,000 00
64
640,000.00
65
7,500.00
66
14,000.00
67
$8,312,930.00
Current Account—Continued.
Brought forward.
Department of the Attorney-General:
Attorney-General's Office 	
General Office   	
Companies Branch   	
Securities Branch         	
" Fire Marshal Act "   	
Censor of Moving Pictures   	
Sheriffs' Offices     	
Official Administrator     	
Official Guardian   ... 	
Land Registry Offices
Supreme and County Courts   	
Motor-vehicle Branch     	
Provincial Police    	
County Gaols    	
Game Branch      __	
Administration of Justice         	
Crown Prosecutor's Office, Vancouver	
Coroners' Inquests and Inquiries __ 	
Constitutional Litigation and General Law
Costs    _.     	
Destruction   of   Predatory   Animals   and
Birds       	
Promotion   of  Uniformity   of  Legislation
in Canada            _._
Probation Office       	
New Haven       _   	
Revision of Statutes _—   	
Incidentals and Contingencies	
In    Aid    of    Removal    of    Discriminatory
Freight Rates _   ._ __     _
" Magistrates Act Amendment Act, 1939 "
" County Courts Act Amendment Act, 1947 "
" Civil Service Act,  1945,"  Sec. 78—Cost-
of-living Bonus  ._     	
Department of Education:
Minister's Office _ 	
General Office   ..    _  	
Text-book Branch  .._  .	
Free Text-books, Maps, etc.    _
Correspondence Schools   	
Industrial Education   	
Visual Education     _  	
Inspection of Schools    _..	
Normal Schools    .       _ 	
School for the Deaf and the Blind	
Basic and Supplementary Grants (Teachers
and Pupils)       ._   	
Conveyances (Special Services)  ....
Essential New Equipment   _____
Grants re " Special Assistance in the Cost
of Education Act "    ___    	
Special Aid to School Districts      .
Education of Soldiers' Dependent Children
Carried forward  	
$11,154.23
31,176.28
28,021 00
17,937.92
32,477.71
8,072.11
18,821.58
8,355,36
2,079.06
156,626.08
74,704.24
163,754 56
789,365.65
232,238.40
235,153.44
114,154 95
4,673.95
14,371.88
6,360.16
40,732.33
550.65
7,824.90
19,148 49
4,000.00
4,941.84
17,415.77
3,855.00
10,421.74
181,515 40
$10,303.81
38,421 08
10.00
122,283.48
88.625.95
27,305.40
14,295.21
135,298.55
65,370.47
58,260.48
5,055,823.81
278,971.07
33,861.97
295,636.42
1,500.00
11,715.00
$9,193,680.60
2,239,904.68
$6,237,682.70   $11,433,585.28 COMPTROLLER-GENERAL'S REPORT, 1947-48.
CC 17
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1948.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1947.
$8,312,930.00
11
24
395
■ 12
32,
7.
39
83
12
17
15
1,102
20
43
,000.00
,940.00
500.00
300.00
,000.00
,030.00
800.00
930.00
440.00
300.00
910.00
000 00
,487.00
,000.00
10.00
,700.00
68
69
70
71
72
73
74
75
76
77
78
79
80
81
Stat.
Stat.
$10,131,277.00
$13,720.00
82
50,550.00
83
25,520.00
84
90,840.00
85
224,950.00
86
105,000.00
87
100.00
88
684,150.00
89
80,640.00
90
9,000.00
91
2,000.00
92
16,000.00
93
16,000.00
94
1,100,000.00
Stat.
375,000.00
Stat.
22,000 00
Stat.
8,800.00
Stat.
Stat.
Stat.
Stat.
S.W. No. 1
100,500.00
Stat.
$2,924,770.00
$24,380.00
95
400.00
Stat.
$24,780.00
Current Account—Continued.
Brought forward._
Department of Education—Continued.
School Tests   	
Summer Schools and Teacher-training .
Board of Reference —  	
Adult Education  	
School Radio Broadcasts   	
Educational Direction and Supervision
Educational and Vocational Guidance ...
Provincial Library    	
Public Library Commission ,  	
Provincial Archives  _ 	
Provincial Museum — ._	
Incidentals and Contingencies 	
University of British Columbia 	
Special Grant to Victoria College
Advances re Rural District School Taxes  ...
" Civil  Service Act, 1945," Sec. 78—Cost-
of-living Bonus   —	
Department of Finance:
Minister's Office	
General Office  	
Probate and Succession Duties Branch
Controlling and Audit Branch  	
Purchasing Commission . 	
Taxation Branch        	
Agent-General's   Office   and   B.C.   House,
London, England   .      	
Government Agents and Assessors, etc.	
Postal Branch        _. ._  _._._ __— 	
Printing Public Accounts, Revenue Receipts,
Bonds, Cheques, Estimates, etc 	
Interest on Suitors' Funds Deposits   	
Delinquent Extra-municipal School Taxes
Incidentals and Contingencies   	
" Municipal Aid Act "  	
" Civil Service Superannuation Act "	
" Public Libraries Act "      	
" Coal   and   Petroleum   Products   Control
Board Act "   	
" Municipal Superannuation Act "	
" Water Act "   .    .   _.-.
" Unclaimed Moneys Act "   —   — —   ...
Purchasing  Commission  re  Air-raid  Precaution Equipment       .___   —
" Civil  Service Act,  1945,"  Sec  78—Cost-
of-living Bonus   — 	
Department of Fisheries:
Salaries and Expenses	
" Civil  Service Act, 1945,'
of-living Bonus
Sec 78—Cost-
$6,237,682.70   $11,433,585.28
1,948.29 —
20,669.64
172,408.52
8,498.71
16,698.54
4,684.38
27,491.41
60,856.54
7,607.69
13,385 92
9,209.98
751,865.26
20,000.00
80,179.77-
40,546.92
7,309,478.15
$8,529.16
39,320.19
18,886.21
73.384.78
166,602.39
61,417.99
3,737.45
327.055.20
65,763.49
5,933 22
1,636.05
14,854.64
415,994.55
15,47832
10,465.38
55,024.24
6,450.00
6.12
3,698.00
58,631.17
$16,894.72
518.92
1,352,868.55
17,413.64
Carried, forward.
$20,113,345.62 CC 18
COMPTROLLER-GENERAL'S REPORT, 1947-48.
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1948.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1947.
96
97
98
99
100
101
102
103
104
105
106
107
108
109
110
111
112
113
114
Stat.
Stat.
S.W. No. 2
Stat.
115
116
117
118
119
120
121
122
123
Stat.
124
125
126
127
128
Current Account—Continued.
$20,113,345.62
$1,530.00
32,960.00
554,051 00
Department of Health and Welfare:
$1,190.00
27,009.82
366,569.31
61,461.26
78,420.04
46,273.20
2,832.01
508,586.56
149,347.42
6,140.23
269,447.59
3,748.37
1,564,298.63
1,004.45
Public Health Branch:
104,240.00
98,690 00
Division of Laboratories _ ___ 	
158,350.00
5,000.00
1,252,638.00
284,230.00
8,460.00
509,810.00
8,000.00
Division of Venereal Disease Control-
Grant in Aid of Organization under the
" Health Insurance Act "	
Division of Tuberculosis Control  _
Provincial Infirmaries  	
Welfare Branch:
2,544,000.00
1,500.00
Social Assistance    	
2,500 00
528,410.00
234,126.83
2,647.57-
58,253.13
865,000.00
1,157,723.17*
341,300.00
14,578.00
155,608.74
57,360.00
131,251.00
1,000,000.00
Old-age Pensioners' War  Cost-of-living
1,179,685.00
525,000.00
" Old-age Pension Act "	
" Mothers' Allowances Act "_  , ■■	
Streptomycin    for    the    treatment    of
324,800.00
" Civil Service Act, 1945," Sec. 78—Cost-
Department of Labour:
$9,312,465.00
$6,787.73
76,405.02
10,737.57
2,848.55
14,357.18
9,860.57
1,514 26
8,398.68
31,640.93
12,691.03
5,910,271.19
$13,120.00
107,380.00
15,040.00
5,000.00
23,100.00
13,410.00
3,205.00
18,800.00
48,530.00
Trade-schools Regulation Branch __._ 	
Industrial    Conciliation   and   Arbitration
14,700.00
" Civil Service Act, 1945," Sec. 78—Cost-
Department of Lands and Forests:
Minister's Office  	
$262,285.00
$10,011.95
477,632.01
5,629.94 .
23,131.99
549.20
175,241.52
$12,885.00
855,750.00
11,620.00
41,560.00
.   10,000 00
Land Settlement Board	
Land Utilization Research and Survey.-	
Carried forward  	
$931,815.00
$516,955.09
$26,198,858.33
* Dominion   contribution   for
actually received at that date.
quarter   ended   31st   December,   1947,   deducted   from   expenditure,   although   not COMPTROLLER-GENERAL'S REPORT, 1947-48.
CC 19
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1948.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1947.
$931,815.00
346,000.00
1,250,000.00
3,000.00
70,800.00
23,500.00
468,000.00
75,000.00
18,200.00
50,000.00
84,300.00
40,000.00
50,000.00
7,500.00
135,000.00
95,000.00
240,000.00
117.50
800.00
500.00
1,000.00
1,500.00
112,500.00
10,000.00
122,500.00
$4,137,032.50
$13,300.00
39,220.00
89,740.00
26,390.00
68,450.00
6,600.00
150,000.00
500.00
40,000.00
3,000.00
3,500.00
9,200.00
$449,900.00
129
130
131
132
133
134
135
136
137
138
139
140
141
142
143
144
145
146
147
148
149
Stat.
Stat.
Stat.
Stat.
Stat.
S.W. No. 5
Stat.
150
151
152
153
154
155
156
157
158
159
160
Stat.
Current Account—Continued.
Brought forivard-
Department of Lands and Forests—Cont'd.
Expenses:  Administration, Maintenance of
Buildings, Launches, Autos, etc. _ 	
Forest Protection Fund _ 	
Grant to Canadian Forestry Association	
Forest Management	
Forest Research   	
Reforestation and Forest Nursery_.
Provincial Parks 	
Public Relations (Forest)	
Insect Control  ______ 	
Forest Ranger School ..___ ____.
Refund to the Government of the United
Kingdom     	
Water Surveys
B.C. Hydrometric Service	
Surveys and Maps	
" Soldiers' Land Act "  	
Coal, Petroleum, and  Natural  Gas Investigation
Hedley Townsite Special Survey  	
Refund of Stumpage, Railway Belt	
Refunds under " Land Act " and " Revenue
Act"  _ 	
Publicity    	
Incidentals and Contingencies  	
" Forest Act "—Forest Reserve Account	
" Grazing Act "—Range Improvement Fund
" Doukhobor Lands Acquisition Act "	
" Land Settlement and Development Act "„._.
" Municipal Act "  ____ _,	
Refund   to    Government   of   the    United
States re Stumpage  _.
" Civil  Service Act, 1945," Sec. 78—Cost-
of-living Bonus  _ __—
Department of Mines:
Minister's Office   	
General Office __   	
Mineralogical Branch  	
Analytical and Assay Branch 	
Inspection Branch  	
Grants—   	
Grants in Aid of Mining Roads and Trails .
Subsidy re Explosives .
Grub-staking and Aid to Prospectors	
Interprovincial Committee on Mining	
Incidentals and Contingencies  	
" Civil  Service Act, 1945,"  Sec 78—Cost-
of-living Bonus    _ 	
Carried forward-
$516,955.09   $26,198,858.33
233,240.07
937,500.00
3,000.00
32,682.05
13,791.60
196,107.42
57,833.80
14,743.68
1,834.78
13,302.02
40,000.00
27,267.39
6,949.63
51,444.09
56,288.18
95,684.36
140.94
63.00
10,351.87
1,647.90
200.00
4.17
18,001.68
106,566.06
$8,684.76
27,971.35
54,797.74
20,179.52
41,970.09
5,650.00
55,074.03
142.82
34,473.48
1,197.70
8,372.09
2,435,599.78
258,513.58
$28,892,971.69 CC 20
COMPTROLLER-GENERAL'S REPORT, 1947-48.
Statement of Expenditure for the; First Nine Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1948.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1947.
$32,210.00
2,800.00
161
Stat.
162
163
164
165
166
167
168
169
170
171
172
173
174
175
176
177
178
179
180
181
182
Stat.
Stat.
Stat.
Stat.
Stat.
Stat.
Stat.
Stat.
Stat.
183
184
185
Current Account—Continued.
$28,892,971.69
Department of Municipal Affairs:
$21,991.15
2,254.56
" Civil  Service Act,  1945," Sec. 78—Cost-
of-living Bonus	
Department of Provincial Secretary:
$35,010.00
24,245.71
$9,176.62
21,320.33
35,658.94
29,938.46
49,626.53
363,009.57
109,587.71
10.00
5,492.77
150,000.00
$10,180.00
33,420.00
54,020.00
27,015.00
105,000.00
'      900,000.00
120,000.00
10 00
9,500.00
150,000.00
500.00
10,000.00
15,000.00
25,000.00
10,000,00
91,060.00
8,710.00
1,809,155.00
7,744.00
2,597,290.00
207,510.00
4,200.00
1,000.00
56,000.00
40,000.00
Administration of " Superannuation Act "
" Civil   Service   Superannuation   Fund "—
Superannuation    Allowances,    " Teachers'
Pensions Act," 1940	
King's Printer 	
Government House   	
Assessment   on   Class   13    (The   Crown)
" Workmen's Compensation Act "	
Civil Service Schedule Bond 	
10,000.00
24,639.59
11,069.33
Incidentals and Contingencies	
In Aid of Resident Physicians  	
B.C.   Provincial   Government   Employees'
Benefit Society  	
Grants to Charitable Associations	
45,775.00
2,569.75
989,621.20
125,930.25-
982,920.74
14,567.61
3,150.00
5,839.47
74,839.72
15,898.06
6.095.85
70,737.67
97,697.12
Hospitals—Administration and Grants .
Allowance to F. A. Pauline	
" Civil Service Act," Sec 69   	
" Provincial Elections Act "	
341,000.00
" Civil Service Act, 1945," Sec. 78—C'ost-
" Public Utilities Act " and " Motor Carrier
Act ":
Salaries and Expenses    	
" Civil Service Act,  1945," Sec. 78—Cost-
$6,633,314.00
3,003,311.79
$102,649.97
6,467.35
$182,405 00
12,500.00
Department of Public Works:
$194,905.00
109,117.32
$11,306 62
294,425.72
172,123.41
$14,420.00
546,545.00
268,734.00
Maintenance of Parliament Buildings and
Carried forward        .   .
$829,699 00
$477,855.75   $32,029,646.51 COMPTROLLER-GENERAL'S REPORT, 1947-48.
CC 21
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1948.
No. of
Vote.
Expenditure for 9 Months
ended 31st December, 1947.
$829,699.00
37,580.00
!,030,000.00
70,000.00
702,882.00
20,000.00
10,000.00
10.00
10.00
1.00
32,130.00
2,500.00
85,700.00
$500.00
$58,781,334.52
186
187
188
189
190
191
192
193
194
195
196
Stat.
$9,820,512.00
$800.00
197
26,560.00
198
650 00
Stat
$28,010.00
$11,960.00
199
9,625.00
200
143,695.00
201
81,990.00
202
73,165.00
203
50,000.00
204
160,000.00
205
8,550.00
Stat
$538,985.00
206
Current Account—Continued.
Brought forward-
Department of Public Works—Continued.
Government House	
Roads, Bridges, Ferries, Wharves, etc	
Local Highways within Municipal Limits	
Repairs,   etc.,   to   Government   Buildings
throughout the Province	
Highway Signs, Grants, etc	
Research Branch	
Gravel-crushing	
Langford Warehouse..
Steam-boiler Inspection... 	
Electrical Energy Inspection	
Dewdney Dyking Commission ._ 	
" Civil  Service Act,  1945," Sec. 78-
of-living Bonus	
-Cost-
Railway Department:
Minister's Office	
Administration	
; Civil  Service Act,  1945," Sec. 78-
of-living Bonus  	
-Cost-
Department of Trade and Industry:
Minister's Office	
General Office  	
B.C. Travel Bureau  _ 	
Bureau of Economics and Statistics 	
Office of Trade Commissioner 	
Bureau of Reconstruction	
Grants re B.C. Research Council	
" Civil Service Act, 1945," Sec.  78—Cost-
of-living Bonus  	
Recoverable Expenditure:
"Soldiers'   Land   Act"—Houses,   South
Vancouver    	
$477,855.75   $32,029,646.51
27,694.82
4,912,519.27
48,306.16
403,794.60
5,181.51
66,255.31
13,800.31
16,693.29
2,500.00
55,351.42
$296.15
23,181.42
687.61
$8,967.68
7,178.34
93,703.28
49,112.83
22,243.75
33,889.20
160,000.00
9,528.14
6,029,952.44
24,165.18
384,623.22
73.11
$38,468,460.46 CC 22
COMPTROLLER-GENERAL'S REPORT, 1947-48.
(E)
(3)
*STATEMENT SHOWING EXPENDITURES AND ADVANCES OUT OF MONEYS
RAISED BY LOAN UNDER AUTHORITY OF THE LEGISLATURE FOR
SPECIFIC PURPOSES, 1st APRIL TO 31st DECEMBER, 1947.
Authority for Expenditure.
Service.
Expended
for 9 Months
ended 31st
December,
1947.
B.C.Loan
Section
: B.C. Loan
Section
: B.C. Loan
Section
B.C. Loan
Section
; B.C. Loan
Section
1 B.C. Loan
Section
Act, 1932 '
6 (6)—.
Act, 1935 '
Act, 1939 "
6	
Act, 1943 "
6 (a)	
Act, 1943 "
6 (6)	
Act, 1946 "
6 (a)	
Roads, Bridges, etc	
Roads, Bridges, Ferries, etc.
Public Buildings	
Roads, Bridges, Ferries, etc.
Public Buildings 	
B.C. Highway Bridges Loan Act, 1947 ":
Section 6  	
: Pacific Great Eastern Construction Loan Act,
1928"	
Electric Power Act "	
Roads, Bridges, Ferries, etc.
Equipment Fund  	
: British Columbia University Loan Act, 1945 "....
: Farmers' Land-clearing Assistance Act, 1945 "__
: Irrigation Assistance Loan Act, 1945 "	
Highway Bridges    _.. 	
Pacific Great Eastern Railway   __
Advances   to   British   Columbia   Power
Commission 	
British  Columbia  University  Buildings
and Equipment 	
Advances   to   Land-clearing   Assistance
Fund     __
Advance to Improvement District 	
$118,901.85
62,318.13
16,112.12
2,693,902.68
249,088.73
2,108,888.97
300,000.00
162,980.40
928,000.00
7,238,650.00
766,294.45
100,000.00
1,500.00
$14,746,637.33
* This statement covers only such vouchers as  have been  received and entered in  the books of the  Controlling
and Audit Branch at 31st December, 1947. COMPTROLLER-GENERAL'S REPORT, 1947-48.
CC 23
*STATEMENT SHOWING EXPENDITURES OUT OF REVENUE SURPLUSES,
UNDER AUTHORITY OF THE LEGISLATURE, FOR SPECIFIC
PURPOSES, 1ST APRIL TO 31st DECEMBER, 1947.
Authority for Expenditure.
Service.
Expended
for 9 Months
ended 31st
December,
1947.
1 Revenue Surplus Appropriation Act, 1944 '
Section 2 (a)  	
Section 2 (6)	
Section 2 (c).
Revenue Surplus Appropriation Act, 1945 ":
Section 2 (a)  	
Section 2(6)   	
Section 2(c)	
Revenue Surplus Appropriation Act, 1946 ":
Section 2 (a)  	
Section 2 (c)     _
Section 2 (d)_
: Revenue Surplus Appropriation Act, 1947 ":
Section 2 (a)	
Section 2(6) __ 	
Section 2(c)	
Roads, Bridges, Ferries, etc	
Peace River Road 	
Public Buildings and Equipment._
Roads, Bridges, Ferries, etc.
Hospitals  	
Schools	
Roads, Bridges, Ferries, etc.
Schools  	
Mining Roads and Trails	
Roads, Bridges, Ferries, etc.— 	
Municipalities  	
Old-age Pensions Cost-of-living Bonus .
$14,976.92
77,633.28
138,673.67
21,910.54
434,692.44
383,599.21
228,501.62
193,239.15
3,783.41
3,480,208.37
2,680,000.00
780,000.00
$8,437,218.61
* This statement covers only such vouchers as have been received and entered in the books of the Controlling
and Audit Branch at 31st December, 1947.
RECAPITULATION.
Roads, Bridges, Ferries, etc .
Peace River Road	
Mining Roads and Trails _
Equipment Fund .
Buildings, Equipment, etc.
Hospitals  	
Schools -	
Municipalities  	
Old-age Pensions  Cost-of-living Bonus .
Pacific Great Eastern Railway _
British Columbia University Buildings and Equipment _
Advances to British Columbia Power Commission	
Advances to Land-clearing Assistance Fund  	
Advance to Improvement District  	
$8,892,589.48
77,633.28
3,783.41
300,000.00
403,874.52
434,692.44
576,838.36
2,680,000.00
780,000.00
928,000.00
766,294.45
7,238,650.00
100,000.00
1,500.00
$23,183,855.94
VICTORIA, B.C.:
Printed by Don MoDiabmid, Printer to the King's Most Excellent Majesty.
1948.
250-248-9101 

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